Note: The job is a remote job and is open to candidates in USA. Pipe is a company focused on enhancing financial discipline and funding strategies. As a Financial Analyst, you will support the Finance team by managing investor relationships, developing financial models, and driving business performance through data analysis and reporting.
Responsibilities
- Manage relationships with new and existing investors and lenders
- Develop and maintain robust financial and operating models to support strategic planning, forecasting, and resource allocation
- Track and analyze operating expenses, key financial metrics, and strategic goals, and provide detailed analysis and commentary on performance-to-plan
- Support operational needs for existing funding deals, including cash management and allocation of originations to facilities
- Produce periodic reporting and monitor facilities, including develop requirements for automation to improve efficiencies and reduce operational and forecast financial risk
- Analyze and manage allocation of assets across multiple funding channels to optimize funding efficiency and liquidity availability
- Support short-term liquidity forecasting and monitoring to ensure adequate funding availability across funding facilities and corporate treasury accounts
- Support treasury operations including liquidity management, cash positioning, and coordinate fund movements between corporate accounts, funding facilities, and partner payment flows
- Manage and validate funding data pipelines including funding tapes, facility eligibility datasets, and reconciliation of asset-level data used in reporting and borrowing base calculations
- Collaborate with Product, Underwriting/Risk, Finance, Engineering, and Legal to maintain and improve funding program design, data pipelines, and operational workflows supporting capital markets and FP&A processes
Skills
- Bachelor's degree
- Proficiency in Excel and AI tools
- Commercial approach to structure, market, and sell financial products
- Understanding of financial concepts and accounting principles
- Good working knowledge of Looker, SQL, or similar
- Strong written and verbal communication skills
- Strong organizational and prioritization skills
- Ability to harness financial data to inform decisions
- 2+ years of investment banking or fixed income sales/trading/structuring (or similar), ideally in structured finance or securitization teams
- Experience working in an autonomous, fast-paced environment with a track record of manage competing priorities and consistently meet deadlines
- Experience produce excellent reporting
- Consistent track record of attention to detail, ability to grasp new concepts quickly, and take ownership of your work
- Consistent and novel use of AI tools to advance the Finance discipline
- Given we are a fully remote company, we value a high level of independence and maturity in all of our team members
Benefits
- The best equipment to help you do your job - computers, monitors, desks, chairs, headphones, speakers, webcams, keyboards, mice, and more
- Flexible vacation and work hours - we believe in a healthy work-life balance (really!)
- Excellent health, dental, and vision insurance
- Generous parental leave for anyone growing their family, regardless of gender
- Great colleagues - we value a culture of authenticity, humility, and excellence
Company Overview
Company H1B Sponsorship